Madison International Realty is a leading liquidity provider to real estate investors worldwide. Madison provides equity capital for real estate owners and investors seeking to monetize embedded equity, to replace capital partners seeking an exit and to recapitalize balance sheets. The firm provides equity for recapitalizations, partner buyouts and capital infusions; and acquires joint venture, limited partner and co-investment interests as principals. Madison invests in secondary transactions and focuses on existing properties and portfolios in the U.S., U.K., and Europe. Madison has offices in New York, Los Angeles, London, Luxembourg, Amsterdam and Frankfurt, where the firm operates under the name of Madison International Realty GmbH.

Responsibilities for our Senior Analyst, Portfolio and Asset Management include:

  • Monitor and analyze the financial performance of a global multi-asset properties across multiple funds
  • Provide support in the review of property budgets, business plans, quarterly reforecasts, and variance analyses
  • Develop a working knowledge of leases, loan documents, partnership agreements, and other agreements for general responsibilities
  • Participate in the development and maintenance of financial waterfall models and analyses, including discounted cash flows, IRR analysis, NPV analysis, etc. for each asset utilizing Microsoft Excel and Argus
  • Assist in performing refinancing analyses, quarterly valuations, sell/hold analyses, leasing NPV/NER, and other ad hoc requirements
  • Assist in preparation of monthly, quarterly, and annual investor reports and presentations
  • Compile and maintain quarterly Asset Manager reports
  • Update Argus and JV models, leasing statistics and capital expenditure tracking reports
  • Compile, maintain research on markets within portfolio (sales comps, lease comps)

Qualifications for our Senior Analyst, Portfolio and Asset Management Analyst include:

The ideal candidate for this role will be an experienced financial professional with:

  • 2-3 years of formal real estate investment or asset management experience.
  • Bachelor’s Degree in business, finance, economics, real estate, or related field
  • Understanding of real estate fundamentals, commercial retail leases, financing principles, and advanced capital structures
  • Expert in Excel and Argus – Outstanding quantitative and analytical skills, attention to detail
  • Knowledge of reporting tools such as VTS, iLevel, Real Logic and MRI
  • Able to thrive in a fast-moving environment, highly motivated self-starter with well

Salary Range: